Predict, protect, and accelerate cash flow before liquidity tightens.
Byvlo combines cash forecasting, spend coding, document intake, and AI decision support in one control tower built for CFOs.

Decision flow
One control tower for the questions a CFO needs answered before close.
Byvlo combines cash-in visibility, cash-out control, and AI explanations into one surface built to support action rather than passive reporting.
Cash-in visibility
Outstanding invoices, aging, delays, and collection probability are read together to understand what cash can really land.
Cash-in surface
LiveCustomer risk
Risk concentration becomes visible across customers, invoice clusters, and payment-behavior deterioration.
Risk concentration
Net cash view
Expected inflow, expected cash-out, burn rate, and liquidity pressure combine into the same decision layer.
Projected net cash
+EUR 186K
Action center
Alerts, recommendations, and anomalies turn into an operating queue ranked by liquidity impact.
Action center
UpdatingData layer
Connected to the systems that explain how cash is moving.
Byvlo reads signals from billing, email, accounting, and banking systems to transform fragmented data into forecast, risk, and operating priorities.
Live stack
The systems already active inside the product for orchestration, payments, and action delivery.
Systems already active in the Byvlo workflow for payments and communication.
Stripe
LiveCollections, payments, and cash-application signals
Resend
LiveTransactional delivery for workflows and approvals
Finance systems
The integrations planned to expand accounting, banking, and reconciliation visibility.
Integration surface for accounting writeback, reconciliation, and bank coverage.
Plaid
RoadmapBank connectivity to validate cash and movement
Xero
RoadmapAccounting sync for invoice history and writeback
QuickBooks
RoadmapLedger, customer, and cash-event alignment
Discovery
We are collecting feedback from CFOs, finance managers, and admin teams.
Next step
See the Byvlo control tower applied to your cash dynamics.
You will walk through cash-in forecast, spend coding, anomalies, and the action center on a CFO-first operating workflow.
